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2014 Special Session I

Budget Amendments - HB5002 (Committee Proposed)

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Front Page After Committee Action (language only)

Item 0 #2h

Item 0 #2h

Revenues
Revenues

Language
Page 1, strike lines 22 through 30, and insert:
"

First Year
Second Year
Total
Unreserved Balance, June 30, 2014
478,643,378
0
478,643,378
Additions to Balance
95,800,000
800,000
96,600,000
Official Revenue Estimates
17,693,658,447
18,401,545,863
36,095,204,310
Transfers
546,904,121
548,138,121
1,095,042,242
Total General Fund Resources
Available for Appropriation
18,815,005,946
18,950,483,984
37,765,489,930
"
Page 1, strike lines 32 through 43, and insert:
"

First Year
Second Year
Total
Balance, June 30, 2014
4,708,335,881
0
4,708,335,881
Official Revenue Estimates
25,643,297,953
26,332,196,695
51,975,494,648
Lottery Proceeds Fund
510,000,000
510,000,000
1,020,000,000
Internal Service Fund
1,595,861,216
1,612,651,825
3,208,513,041
Bond Proceeds
561,612,550
63,856,548
625,469,098
Total Nongeneral Fund Revenues
Available for Appropriation
33,019,107,600
28,518,705,068
61,537,812,668
TOTAL PROJECTED REVENUES
51,834,113,546
47,469,189,052
99,303,302,598
"


Explanation
(This amendment reflects the general fund and nongeneral fund revenue adjustments adopted by the House Appropriations Committee.)